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Bnp Paribas B Invest Bond Euro D (0P00000OJY)

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BNP Paribas B Invest Bond Euro D historical data, for real-time data please try another search
216.890 +0.040    +0.02%
05/11 - Closed. Currency in EUR ( Disclaimer )
Type:  Fund
Market:  Belgium
Issuer:  BNP Paribas Asset Management Belgium
ISIN:  BE0159819607 
Asset Class:  Bond
  • Morningstar Rating:
  • Total Assets: 26.95M
BNP Paribas B Invest Bond Euro D 216.890 +0.040 +0.02%

Bnp Paribas B Invest Bond Euro D Overview

 
On this page you'll find an in-depth profile of Bnp Paribas B Invest Bond Euro D. Learn about the key management, total assets, investment strategy and contact information of 0P00000OJY among other information.
Category

EUR Diversified Bond

Total Assets

26.95M

Expenses

0.61%

Inception Date

Dec 11, 1992

Investment Strategy

The sub fund provides shareholders with the highest possible appreciation of capital invested while offering a broad distribution of risks. The sub-fund invests in euro-denominated borrowings issued or guaranteed by States that have adopted the euro; other States may be considered as long as changes in the criteria required facilitate their swift admission to the euro. In this latter case, the borrowings may be either denominated in Euros, or in their own currency, in which case the currency exchange risk will be hedged. Borrowings issued or guaranteed by local authorities or public international agencies of which one or more of these States are members may also be considered.

Contact Information

Address Rue du Progrès, 55
Bruxelles,Belgium 1210
Belgium
Phone +32 2 2748833

Top Executives

Name Title Since Until
Cedric Scholtes Portfolio Manager 2020 Now
Biography Cedric Scholtes. Mr. Scholtes is Portfolio Manager and responsible for the day-to-day management of the American Independence U.S. Inflation-Protected Fund. He joined FFTW in June 2006 as a portfolio manager in the Governments and Inflation Team. He manages interest rate businesses with an emphasis on FFTW's central bank portfolios. Mr. Scholtes came from Goldman Sachs where he was a vice president in the Inflation Trading Group, Fixed Income Commodities & Currencies Division. His responsibilities included formulating and implementing trading strategies, making markets in inflation-linked securities and building inflation-market analytical tools. Before Goldman Sachs, he spent six years as a trader/analyst at both the Bank of England, where he worked on the Foreign Exchange Reserves Management Staff, and the Federal Reserve Bank of New York on the Treasury Market Policy Staff. Mr. Scholtes holds a Masters degree in Finance and Economics from Warwick Business School, a Masters in Economics from the London School of Economics, and an M.A./B.A. in economics from the University of Cambridge.
Alberto Talero - 2019 Now
Simone Augst - 2017 2020
Peter Benschop - 2018 2019
Sergejs Prala - 2017 2018
Gerd Renning - 2012 2017
Frederic Mackel - 2005 2012
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